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Prof. Dr. Nadine Gatzert
Prof. Dr. Nadine Gatzert
Lehrstuhl für Versicherungswirtschaft und Risikomanagement, Friedrich-Alexander-Universität Erlangen
Verified email at fau.de
Title
Cited by
Cited by
Year
Determinants and value of enterprise risk management: empirical evidence from the literature
N Gatzert, M Martin
Risk Management and Insurance Review 18 (1), 29-53, 2015
2732015
The impact of corporate reputation and reputation damaging events on financial performance: Empirical evidence from the literature
N Gatzert
European Management Journal 33 (6), 485-499, 2015
2702015
Determinants and value of enterprise risk management: empirical evidence from Germany
P Lechner, N Gatzert
The European Journal of Finance 24 (10), 867-887, 2018
2612018
Risks and risk management of renewable energy projects: The case of onshore and offshore wind parks
N Gatzert, T Kosub
Renewable and Sustainable Energy Reviews 60, 982-998, 2016
2262016
Supporting strategic success through enterprise-wide reputation risk management
N Gatzert, J Schmit
The Journal of Risk Finance 17 (1), 26-45, 2016
1322016
A comparative assessment of Basel II/III and Solvency II
N Gatzert, H Wesker
The Geneva Papers on Risk and Insurance-Issues and Practice 37 (3), 539-570, 2012
1272012
Evaluating investments in renewable energy under policy risks
N Gatzert, N Vogl
Energy Policy 95, 238-252, 2016
1142016
The drivers and value of enterprise risk management: evidence from ERM ratings
A Bohnert, N Gatzert, RE Hoyt, P Lechner
The European Journal of Finance 25 (3), 234-255, 2019
1092019
Assessing the risks of insuring reputation risk
N Gatzert, JT Schmit, A Kolb
Journal of Risk and Insurance 83 (3), 641-679, 2016
1072016
Analysis of participating life insurance contracts: A unification approach
N Gatzert, A Kling
Journal of Risk and Insurance 74 (3), 547-570, 2007
912007
Awareness, determinants and value of reputation risk management: Empirical evidence from the banking and insurance industry
D Heidinger, N Gatzert
Journal of Banking & Finance 91, 106-118, 2018
792018
Quantifying credit and market risk under Solvency II: Standard approach versus internal model
N Gatzert, M Martin
Insurance: Mathematics and Economics 51 (3), 649-666, 2012
702012
The impact of the secondary market on life insurers’ surrender profits
N Gatzert, G Hoermann, H Schmeiser
Journal of Risk and Insurance 76 (4), 887-908, 2009
692009
Creating customer value in participating life insurance
N Gatzert, I Holzmüller, H Schmeiser
Journal of Risk and Insurance 79 (3), 645-670, 2012
632012
The secondary market for life insurance in the UK, Germany, and the US: Comparison and overview
N Gatzert
Risk Management & Insurance Review 13 (2), 279-301, 2010
612010
Determinants of policy risks of renewable energy investments
N Gatzert, T Kosub
International Journal of Energy Sector Management 11 (1), 28-45, 2017
592017
The secondary market for life insurance in the United Kingdom, Germany, and the United States: Comparison and overview
N Gatzert
Risk Management and Insurance Review 13 (2), 279-301, 2010
582010
Combining fair pricing and capital requirements for non-life insurance companies
N Gatzert, H Schmeiser
Journal of Banking & Finance 32 (12), 2589-2596, 2008
552008
Asset management and surplus distribution strategies in life insurance: An examination with respect to risk pricing and risk measurement
N Gatzert
Insurance: Mathematics and Economics 42 (2), 839-849, 2008
532008
Modeling operational risk incorporating reputation risk: An integrated analysis for financial firms
C Eckert, N Gatzert
Insurance: Mathematics and Economics 72, 122-137, 2017
522017
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